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HTFCHorizon Technology Finance Corp
$24.75$1.1B
Overview & Verdict
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Valuation & Forecasts
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HomeStocksHTFCQuarterly Cash Flow

Horizon Technology Finance Corp (HTFC) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Horizon Technology Finance Corp (HTFC) quarterly cash flow statement — complete operating, investing & financing history

HTFC Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash from Operations9.83M9.02M50.64M49.6M9.76M-26.14M13.11M9.89M7.68M13.35M-23.73M8.34M12.73M-85.42M11.29M-55.38M-55.36M8.46M8.39M5.2M
Operating CF Margin %41.09%47.07%121.84%-501.59%-90.19%1090.82%77.04%1638.08%41%49.46%695.98%93.96%89.95%-710.61%90.07%-427.45%-664.68%118.88%49.1%46.69%
Operating CF Growth %0.73%134.53%286.28%401.33%27.12%-295.76%155.25%18.7%-39.7%115.63%-310.08%115.05%122.99%-1109.96%34.68%-1164.1%-164.52%90.67%44.04%-14.81%
Net Income2.78M11.1M30.72M-20.78M-21.44M-12.43M7.28M-9.13M8.65M-10.66M-11.98M152K5.31M4.02M5.99M7.62M3.52M2.27M12.77M6.73M
Depreciation & Amortization0672K0678K653K511K000000478K1.6M00336K000
Stock-Based Compensation00000000000000000000
Deferred Taxes00000000000000000000
Other Non-Cash Items5.62M-5.91M22.15M67.78M31.86M-13.89M4.64M21.75M2.96M23.75M-12.85M15.35M5.77M-86.33M5.58M-62.43M-56.85M6.14M-4.47M-360K
Working Capital Changes1.43M3.16M-2.23M1.92M-1.32M-325K1.19M-2.73M-3.94M266K1.1M-7.17M1.18M-4.71M-279K-566K-2.37M52K90K-1.17M
Change in Receivables-977K2.49M-1.99M1.12M-931K-147K207K713K-1.7M282K1.43M-775K840K-1.24M-1.16M-153K-866K488K-36K-257K
Change in Inventory00000000000000000000
Change in Payables1.83M54K00-12K047K-375K301K-28K-101K-2.86M1.58M-2.2M1.64M807K-512K11K548K61K
Cash from Investing-51.96M-39.45M00-22.94M0-41.37M44.4M-3.63M-2.13M-38.65M-13.82M-40.49M-372.01M-61.41M-63.76M-73.2M-10.77M-43.45M-22.89M
Capital Expenditures00000000000000000000
CapEx % of Revenue--------------------
Acquisitions--------------------
Investments695.7M647.24M2.42M675.91M730.52M725.16M715.08M679.18M733M735.53M741.51M741.26M739.01M727.09M642.36M599.45M517.02M465.94M474.4M417.22M
Other Investing029.85M041.59M035.1M00000000000000
Cash from Financing-27.3M42.21M-882K-45.91M-10.22M40.36M-1.97M-8.75M-8.43M14.39M20.67M12.12M3.33M82.7M5.41M117.29M24.06M5.22M38.11M-23.09M
Debt Issued (Net)--------------------
Equity Issued (Net)10K-101K10.62M-42K3.6M18.83M18.42M17.14M11.97M62K13.86M44M7.17M17.08M19M10.34M38.19M12.77M6.62M5.81M
Dividends Paid-14.69M-14.01M-13.45M-12.89M-12.74M-12.06M-11.36M-12.55M-10.4M-11.97M-10.32M-9.19M-9.04M-9.1M-7.45M-7.08M-6.23M-7.06M-5.94M-5.84M
Share Repurchases00000000000000000000
Other Financing0-1.18M-3.88M-2.15M0-1.52M0-3.33M-5K-3K-3K0-19K-1.89M0-1.62M-550K0-73K-57.5M
Net Change in Cash-69.6M11.79M49.76M3.69M-23.53M14.22M-30.27M44.85M-4.28M25.81M-3.05M6.72M16.06M-2.72M-44.74M61.92M-31.3M3.05M3.04M-40.74M
Free Cash Flow9.83M9.02M50.64M49.6M9.76M-26.14M13.11M9.89M7.68M13.35M-23.73M8.34M12.73M-85.42M11.29M-55.38M-55.36M8.46M8.39M5.2M
FCF Margin %41.09%47.07%121.84%-501.59%-90.19%1090.82%77.04%1638.08%41%49.46%695.98%93.96%89.95%-710.61%90.07%-427.45%-664.68%118.88%49.1%46.69%
FCF Growth %0.73%134.53%286.28%401.33%27.12%-295.76%155.25%18.7%-39.7%115.63%-310.08%115.05%122.99%-1109.96%34.68%-1164.1%-164.52%90.67%44.04%-14.81%
FCF per Share0.210.211.101.200.24-0.720.360.280.230.40-0.730.280.45-3.170.44-2.28-2.530.410.410.26
FCF Conversion (FCF/Net Income)3.54x1.02x1.65x-2.39x-0.46x2.10x1.80x-1.08x0.89x-1.25x1.98x54.84x2.40x-21.25x1.88x-7.27x-15.72x3.73x0.66x0.77x
Interest Paid00000000000000000000
Taxes Paid00000000000000000000